Index -
P/E 10.52
EPS (ttm) 4.71
Insider Own 88.41%
Shs Outstand 18.23M
Perf Week -1.08%
Market Cap 7.08B
Forward P/E 6.12
EPS next Y 8.09
Insider Trans -0.04%
Shs Float 16.57M
Perf Month -12.75%
Income 688.00M
PEG 0.27
EPS next Q 1.97
Inst Own 10.38%
Short Float 1.35%
Perf Quarter -37.75%
Sales 981.00M
P/S 7.22
EPS this Y 68.82%
Inst Trans 0.33%
Short Ratio 1.36
Perf Half Y -43.10%
Book/sh 62.54
P/B 0.79
EPS next Y 2.45%
ROA 4.42%
Short Interest 0.22M
Perf Year -33.26%
Cash/sh 1.22
P/C 40.71
EPS next 5Y 39.48%
ROE 7.69%
52W Range 47.97 - 95.61
Perf YTD -38.54%
Dividend Est. -
P/FCF -
EPS past 5Y 64.97%
ROI 5.26%
52W High -48.16%
Beta 0.99
Dividend TTM -
Quick Ratio 2.42
Sales past 5Y 411.16%
Gross Margin 51.58%
52W Low 3.33%
ATR (14) 1.51
Dividend Ex-Date -
Current Ratio 2.42
EPS Y/Y TTM -40.59%
Oper. Margin 7.44%
RSI (14) 33.65
Volatility 3.07% 2.78%
Employees 1900
Debt/Eq 0.43
Sales Y/Y TTM 0.62%
Profit Margin 70.13%
Recom 2.00
Target Price 82.67
Option/Short Yes / Yes
LT Debt/Eq 0.42
EPS Q/Q 17.28%
Payout 0.00%
Rel Volume 1.39
Prev Close 49.62
Sales Surprise 0.40%
EPS Surprise -40.77%
Sales Q/Q 0.00%
Earnings May 08 BMO
Avg Volume 164.78K
Price 49.56
SMA20 -2.98%
SMA50 -10.67%
SMA200 -35.62%
Trades
Volume 229,508
Change -0.12%
Date
Action
Analyst
Rating Change
Price Target Change
Nov-17-21 Initiated
Credit Suisse
Outperform
$211
Mar-01-21 Upgrade
TD Securities
Hold → Buy
$185
Aug-18-20 Downgrade
TD Securities
Buy → Hold
$165
Mar-23-20 Upgrade
TD Securities
Hold → Buy
Feb-26-20 Reiterated
The Benchmark Company
Buy
$136 → $145
Jan-02-20 Downgrade
TD Securities
Buy → Hold
Oct-28-19 Reiterated
The Benchmark Company
Buy
$122 → $134
Oct-04-19 Initiated
Citigroup
Buy
$125
Aug-15-19 Initiated
The Benchmark Company
Buy
$122
Aug-09-19 Upgrade
TD Securities
Hold → Buy
May-15-18 Reiterated
Pivotal Research Group
Buy
$134 → $100
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(The Wall Street Journal) -8.92%
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Liberty Broadband Corp. operates as a holding company, which engages in the cable, broadband, and mobile location technology businesses. It operates through the following segments: GCI Holdings, Charter, and Corporate and Other. The GCI Holdings segment provides data, wireless, video, voice, and managed services to residential, businesses, governmental entities, and educational and medical institutions primarily in Alaska. The Charter segment provides cable services in the United States, offering entertainment, information, and communications solutions to residential and commercial customers. The company was founded on March 28, 1991, and is headquartered in Englewood, CO.
Insider Trading
Relationship
Date
Transaction
Cost
#Shares
Value ($)
#Shares Total
SEC Form 4
WARGO J DAVID Director Apr 08 '24 Sale 51.98 15,000 779,732 72,332 Apr 09 04:50 PM WARGO J DAVID Director Apr 05 '24 Sale 51.43 10,000 514,289 87,332 Apr 09 04:50 PM WARGO J DAVID Director Mar 07 '24 Sale 56.80 9,000 511,204 97,332 Mar 07 06:48 PM WARGO J DAVID Director Mar 05 '24 Sale 57.33 11,000 630,682 106,332 Mar 07 06:48 PM ENGLES GREGG L Director Dec 12 '23 Option Exercise 0.00 488 0 3,004 Dec 13 06:53 PM Green Richard R Director Dec 12 '23 Option Exercise 0.00 976 0 6,132 Dec 13 06:45 PM WARGO J DAVID Director Dec 04 '23 Option Exercise 72.11 8,304 598,801 124,494 Dec 06 04:47 PM WELSH JOHN E III Director Nov 15 '23 Option Exercise 72.11 4,152 299,401 8,069 Nov 17 04:18 PM WELSH JOHN E III Director Nov 15 '23 Sale 83.74 4,152 347,672 3,917 Nov 17 04:18 PM MAFFEI GREGORY B President/CEO Aug 16 '23 Sale 92.02 1,135 104,445 0 Aug 18 05:51 PM Wendling Brian J CAO/PFO May 11 '23 Option Exercise 67.54 6,419 433,539 18,693 May 15 04:42 PM Wendling Brian J CAO/PFO May 11 '23 Sale 77.59 6,419 498,064 12,274 May 15 04:42 PM
Index -
P/E 10.46
EPS (ttm) 4.71
Insider Own 20.93%
Shs Outstand 123.70M
Perf Week -1.26%
Market Cap 7.04B
Forward P/E 5.52
EPS next Y 8.93
Insider Trans -0.16%
Shs Float 113.01M
Perf Month -13.70%
Income 688.00M
PEG -
EPS next Q 2.24
Inst Own 80.58%
Short Float 3.77%
Perf Quarter -38.78%
Sales 981.00M
P/S 7.18
EPS this Y 85.83%
Inst Trans -
Short Ratio 3.01
Perf Half Y -43.54%
Book/sh 62.54
P/B 0.79
EPS next Y 2.64%
ROA 4.42%
Short Interest 4.26M
Perf Year -33.76%
Cash/sh 1.22
P/C 40.46
EPS next 5Y -
ROE 7.69%
52W Range 47.87 - 95.68
Perf YTD -38.89%
Dividend Est. -
P/FCF -
EPS past 5Y 64.97%
ROI 5.26%
52W High -48.53%
Beta 0.97
Dividend TTM -
Quick Ratio 2.42
Sales past 5Y 411.16%
Gross Margin 51.58%
52W Low 2.88%
ATR (14) 1.61
Dividend Ex-Date -
Current Ratio 2.42
EPS Y/Y TTM -40.59%
Oper. Margin 7.44%
RSI (14) 33.21
Volatility 3.38% 3.00%
Employees 1900
Debt/Eq 0.43
Sales Y/Y TTM 0.62%
Profit Margin 70.13%
Recom 2.20
Target Price 84.20
Option/Short Yes / Yes
LT Debt/Eq 0.42
EPS Q/Q 17.28%
Payout 0.00%
Rel Volume 1.61
Prev Close 49.39
Sales Surprise 0.40%
EPS Surprise -38.71%
Sales Q/Q 0.00%
Earnings Feb 16 BMO
Avg Volume 1.42M
Price 49.25
SMA20 -3.40%
SMA50 -11.26%
SMA200 -36.11%
Trades
Volume 2,276,941
Change -0.28%
Apr-18-24 03:58AM
Apr-12-24 11:01AM
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(The Wall Street Journal) -8.93%
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Liberty Broadband Corp. operates as a holding company, which engages in the cable, broadband, and mobile location technology businesses. It operates through the following segments: GCI Holdings, Charter, and Corporate and Other. The GCI Holdings segment provides data, wireless, video, voice, and managed services to residential, businesses, governmental entities, and educational and medical institutions primarily in Alaska. The Charter segment provides cable services in the United States, offering entertainment, information, and communications solutions to residential and commercial customers. The company was founded on March 28, 1991, and is headquartered in Englewood, CO.
Insider Trading
Relationship
Date
Transaction
Cost
#Shares
Value ($)
#Shares Total
SEC Form 4
WARGO J DAVID Director Apr 08 '24 Sale 51.98 15,000 779,732 72,332 Apr 09 04:50 PM WARGO J DAVID Director Apr 05 '24 Sale 51.43 10,000 514,289 87,332 Apr 09 04:50 PM WARGO J DAVID Director Mar 07 '24 Sale 56.80 9,000 511,204 97,332 Mar 07 06:48 PM WARGO J DAVID Director Mar 05 '24 Sale 57.33 11,000 630,682 106,332 Mar 07 06:48 PM Green Richard R Director Dec 12 '23 Option Exercise 0.00 976 0 6,132 Dec 13 06:45 PM ENGLES GREGG L Director Dec 12 '23 Option Exercise 0.00 488 0 3,004 Dec 13 06:53 PM WARGO J DAVID Director Dec 04 '23 Option Exercise 72.11 8,304 598,801 124,494 Dec 06 04:47 PM WELSH JOHN E III Director Nov 15 '23 Option Exercise 72.11 4,152 299,401 8,069 Nov 17 04:18 PM WELSH JOHN E III Director Nov 15 '23 Sale 83.74 4,152 347,672 3,917 Nov 17 04:18 PM MAFFEI GREGORY B President/CEO Aug 16 '23 Sale 92.02 1,135 104,445 0 Aug 18 05:51 PM Wendling Brian J CAO/PFO May 11 '23 Option Exercise 67.54 6,419 433,539 18,693 May 15 04:42 PM Wendling Brian J CAO/PFO May 11 '23 Sale 77.59 6,419 498,064 12,274 May 15 04:42 PM
Index -
P/E 90.16
EPS (ttm) 1.51
Insider Own 7.73%
Shs Outstand 52.80M
Perf Week 1.02%
Market Cap 7.20B
Forward P/E 34.52
EPS next Y 3.94
Insider Trans 0.00%
Shs Float 48.82M
Perf Month -5.77%
Income 81.60M
PEG 7.58
EPS next Q 0.70
Inst Own 95.92%
Short Float 8.28%
Perf Quarter 6.96%
Sales 2.05B
P/S 3.52
EPS this Y -7.02%
Inst Trans 3.93%
Short Ratio 7.68
Perf Half Y 65.34%
Book/sh 25.85
P/B 5.27
EPS next Y 11.92%
ROA 2.61%
Short Interest 4.04M
Perf Year -27.16%
Cash/sh 3.14
P/C 43.39
EPS next 5Y 11.90%
ROE 6.04%
52W Range 75.22 - 191.00
Perf YTD 16.15%
Dividend Est. -
P/FCF 143.78
EPS past 5Y -15.29%
ROI 3.58%
52W High -28.72%
Beta 0.99
Dividend TTM -
Quick Ratio 1.22
Sales past 5Y 20.89%
Gross Margin 49.00%
52W Low 80.99%
ATR (14) 4.01
Dividend Ex-Date Nov 23, 2012
Current Ratio 2.18
EPS Y/Y TTM -42.22%
Oper. Margin 8.03%
RSI (14) 47.23
Volatility 2.75% 2.70%
Employees 9000
Debt/Eq 0.71
Sales Y/Y TTM 0.60%
Profit Margin 3.98%
Recom 2.10
Target Price 150.60
Option/Short Yes / Yes
LT Debt/Eq 0.67
EPS Q/Q -16.24%
Payout 0.00%
Rel Volume 0.57
Prev Close 135.24
Sales Surprise 0.59%
EPS Surprise 38.50%
Sales Q/Q -11.04%
Earnings May 07 AMC
Avg Volume 525.92K
Price 136.14
SMA20 -2.52%
SMA50 0.51%
SMA200 19.56%
Trades
Volume 299,249
Change 0.67%
Date
Action
Analyst
Rating Change
Price Target Change
Apr-15-24 Upgrade
Stifel
Hold → Buy
$148 → $170
Mar-25-24 Upgrade
Wells Fargo
Equal Weight → Overweight
$117 → $160
Jan-30-24 Downgrade
Jefferies
Buy → Hold
$107 → $121
Jan-03-24 Downgrade
Needham
Buy → Hold
Nov-08-23 Downgrade
Raymond James
Outperform → Mkt Perform
Jul-18-23 Downgrade
Stifel
Buy → Hold
$205 → $120
Jul-10-23 Initiated
Wells Fargo
Equal Weight
$173
Feb-22-23 Upgrade
Raymond James
Mkt Perform → Outperform
$187
Dec-15-22 Upgrade
BTIG Research
Neutral → Buy
$180
Dec-05-22 Reiterated
Needham
Buy
$149 → $173
Oct-12-22 Initiated
Jefferies
Buy
$180
Sep-15-22 Upgrade
Wolfe Research
Peer Perform → Outperform
$165
Sep-14-22 Initiated
Loop Capital
Buy
$206
Apr-06-22 Initiated
Wolfe Research
Peer Perform
$160
Feb-18-22 Upgrade
Needham
Hold → Buy
$205
Feb-16-22 Downgrade
Piper Sandler
Overweight → Neutral
$330 → $200
Oct-12-21 Resumed
Raymond James
Mkt Perform
Sep-02-20 Initiated
Robert W. Baird
Outperform
$260
Aug-14-20 Resumed
Piper Sandler
Overweight
$250
Apr-20-20 Downgrade
Needham
Buy → Hold
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Masimo Corp. is a global technology company, which engages in the development, manufacture, and marketing of patient monitoring technologies, and automation and connectivity solutions. Its products include remote patient monitoring, connectivity, and hospital automation solutions, including Masimo Patient SafetyNet, Masimo Patient SafetyNet Surveillance, Masimo SafetyNet, Masimo SafetyNet-Open, Replica, Iris, MyView, UniView, Uniview: 60, Trace, Masimo Sleep, Centroid, and Bridge. The company was founded by Joe E. Kiani in May 1989 and is headquartered in Irvine, CA.
Insider Trading
Relationship
Date
Transaction
Cost
#Shares
Value ($)
#Shares Total
SEC Form 4
KIANI JOE E CEO and Chairman of the Board May 25 '23 Buy 157.16 6,365 1,000,342 366,055 May 30 08:41 PM
Index S&P 500
P/E -
EPS (ttm) -6.54
Insider Own 16.46%
Shs Outstand 63.69M
Perf Week 6.03%
Market Cap 7.35B
Forward P/E 10.30
EPS next Y 11.21
Insider Trans -0.39%
Shs Float 53.21M
Perf Month -10.45%
Income -414.75M
PEG -
EPS next Q 2.68
Inst Own 80.12%
Short Float 3.52%
Perf Quarter 14.34%
Sales 11.01B
P/S 0.67
EPS this Y 4.00%
Inst Trans 0.19%
Short Ratio 2.69
Perf Half Y 47.62%
Book/sh 119.70
P/B 0.96
EPS next Y 17.28%
ROA -2.93%
Short Interest 1.87M
Perf Year 21.71%
Cash/sh 10.34
P/C 11.17
EPS next 5Y -2.75%
ROE -5.27%
52W Range 76.02 - 131.19
Perf YTD 11.55%
Dividend Est. -
P/FCF 10.35
EPS past 5Y -
ROI -4.29%
52W High -12.00%
Beta 1.37
Dividend TTM -
Quick Ratio 1.02
Sales past 5Y 2.52%
Gross Margin 25.41%
52W Low 51.87%
ATR (14) 3.74
Dividend Ex-Date -
Current Ratio 1.83
EPS Y/Y TTM -195.72%
Oper. Margin 6.33%
RSI (14) 49.33
Volatility 3.87% 2.76%
Employees 43300
Debt/Eq 0.40
Sales Y/Y TTM -4.51%
Profit Margin -3.77%
Recom 2.82
Target Price 123.04
Option/Short Yes / Yes
LT Debt/Eq 0.26
EPS Q/Q 30.55%
Payout -
Rel Volume 1.58
Prev Close 110.27
Sales Surprise 1.42%
EPS Surprise 11.01%
Sales Q/Q -4.52%
Earnings Apr 25 AMC
Avg Volume 696.63K
Price 115.45
SMA20 -1.57%
SMA50 -2.66%
SMA200 13.72%
Trades
Volume 1,100,158
Change 4.70%
Date
Action
Analyst
Rating Change
Price Target Change
Feb-12-24 Upgrade
Deutsche Bank
Hold → Buy
$98 → $152
Jan-12-24 Upgrade
RBC Capital Mkts
Underperform → Sector Perform
$80 → $101
Dec-13-23 Upgrade
Barclays
Underweight → Equal Weight
$80 → $100
Oct-17-23 Initiated
Wells Fargo
Underweight
$85
Apr-11-23 Upgrade
Loop Capital
Hold → Buy
$115
Oct-18-22 Downgrade
BofA Securities
Neutral → Underperform
$140 → $100
Aug-18-22 Initiated
Deutsche Bank
Hold
$122
Aug-01-22 Downgrade
Raymond James
Strong Buy → Mkt Perform
Jul-14-22 Downgrade
Barclays
Equal Weight → Underweight
$152 → $129
May-03-22 Upgrade
JP Morgan
Underweight → Neutral
$127 → $156
May-02-22 Upgrade
BofA Securities
Underperform → Neutral
$125 → $150
Apr-05-22 Initiated
Credit Suisse
Neutral
$140
Mar-30-22 Downgrade
JP Morgan
Overweight → Underweight
$206 → $140
Jan-20-22 Initiated
UBS
Neutral
$180
Jan-10-22 Downgrade
Evercore ISI
Outperform → In-line
$195
Dec-15-21 Downgrade
Barclays
Overweight → Equal Weight
$215 → $202
Nov-08-21 Resumed
BofA Securities
Underperform
$174
Jul-16-21 Initiated
Wells Fargo
Equal Weight
$213
Mar-17-21 Initiated
Wolfe Research
Peer Perform
Feb-18-21 Upgrade
Credit Suisse
Underperform → Neutral
$114 → $180
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Mohawk Industries, Inc. engages in the manufacture, design, and distribution of residential and commercial flooring products. It operates through the following segments: Global Ceramic, Flooring North America (NA), and Flooring Rest of the World (ROW). The Global Ceramic segment designs, manufactures, sources, distributes and markets a broad line of ceramic, porcelain and natural stone tile products. The Flooring NA segment includes floor covering product lines, in a broad range of colors, textures, and patterns. The Flooring ROW segment consists of laminate, hardwood flooring, and vinyl flooring products, roofing elements, insulation boards, medium-density fiberboard, and chipboards. The company was founded on December 22, 1988, and is headquartered in Calhoun, GA.
Insider Trading
Relationship
Date
Transaction
Cost
#Shares
Value ($)
#Shares Total
SEC Form 4
Patton Rodney David VP BUSINESS STRATEGY Mar 12 '24 Sale 119.51 1,551 185,352 15,321 Mar 12 05:03 PM Brunk James CFO - VP FINANCE Feb 28 '24 Sale 117.43 4,007 470,542 18,902 Feb 29 04:12 PM HELEN SUZANNE L Possible Member of Group Dec 14 '23 Sale 107.01 4,500 481,554 4,453 Dec 15 05:33 PM HELEN SUZANNE L Possible Member of Group Dec 13 '23 Sale 94.09 5,500 517,473 8,953 Dec 15 05:33 PM Patton Rodney David VP BUSINESS STRATEGY Nov 17 '23 Sale 83.91 279 23,411 14,208 Nov 20 04:14 PM LORBERBAUM JEFFREY S CHIEF EXECUTIVE OFFICER Nov 14 '23 Sale 86.34 25,000 2,158,425 14,200 Nov 15 04:48 PM LORBERBAUM JEFFREY S CHIEF EXECUTIVE OFFICER Aug 14 '23 Sale 101.22 10,000 1,012,244 39,200 Aug 14 04:15 PM Patton Rodney David VP BUSINESS STRATEGY Jul 31 '23 Sale 106.76 2,600 277,571 14,487 Aug 01 04:42 PM
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